Loosen the constraints of your bond portfolio
Through changing market environments, an unconstrained approach allows investors to seek the risk-adjusted returns they need from their fixed income investments, with managed risk and duration.
Seek attractive risk-adjusted returns with Global Strategic Bond Fund
JPMorgan Funds – Global Strategic Bond Fund allocates flexibly across 15 fixed income sectors and more than 50 countries, seeking an attractive risk-adjusted return profile over time with a focus on mitigating downside risk. The fund’s disciplined investment process combines top-down and bottom-up analysis, with a common research framework to integrate ideas.
Focused on mitigating downside risk
Seeks attractive risk-adjusted returns over time with a focus on mitigating downside risk.
Flexible ‘best ideas’ approach
Dynamically adjusts asset allocation and duration as market conditions evolve.
Multi-dimensional risk management
Holistic and rigorous approach to risk management, with integrated ESG analysis*.
Further reading and information
Why fixed income with J.P. Morgan Asset Management?
Our fixed income funds are founded on active security selection and rigorous risk management—backed by a powerful combination of deep investment expertise, global resources and time-tested processes.